The Global Derivatives & Risk Management is a financial engineering conference that covers a range of derivative asset classes including equity, credit, interest rates, commodities, FX, volatility, inflation and even catastrophe derivatives all under one roof. In 2010, the conference will address issues such as global financial stability and long-term risk.

SIFMA's Annual Operations Conference & Exhibit gathers senior operations professionals from across the financial industry, including representatives from broker/dealers, interdealer brokers, banks, financial service vendors, exchanges, regulators, transfer agents, clearance firms and now an ever increasing presence from the buy-side. In 2010 this event will address the most critical changes and reforms impacting the financial industry since the 1930s.